C000067772 Holdings — MML Growth & Income Fund

All 106 reported holdings of MML Growth & Income Fund (C000067772) by percentage of net assets, from the fund's latest SEC N-PORT filing.

Holding% of net assetsValue (USD)
NVIDIA Corp8.00%$10.67M
Alphabet Inc6.46%$8.61M
Microsoft Corp5.47%$7.30M
Apple Inc4.85%$6.47M
Amazon.com Inc3.41%$4.55M
Broadcom Inc3.27%$4.36M
Micron Technology Inc2.03%$2.71M
Applied Materials Inc1.77%$2.36M
Eli Lilly & Co1.62%$2.17M
NextEra Energy Inc1.60%$2.14M
JPMorgan Chase & Co1.53%$2.04M
Analog Devices Inc1.52%$2.03M
Meta Platforms Inc1.52%$2.02M
Mastercard Inc1.50%$2.00M
Bank of America Corp1.46%$1.94M
Lam Research Corp1.44%$1.93M
Tesla Inc1.40%$1.87M
International Business Machines Corp1.34%$1.78M
Cummins Inc1.32%$1.75M
Regions Financial Corp1.30%$1.74M
Home Depot Inc/The1.21%$1.62M
SLB Ltd1.21%$1.61M
Welltower Inc1.15%$1.54M
Cadence Design Systems Inc1.10%$1.47M
Linde PLC1.03%$1.38M
AbbVie Inc1.01%$1.35M
TJX Cos Inc/The1.01%$1.35M
Prologis Inc1.00%$1.34M
Williams Cos Inc/The0.92%$1.23M
Visa Inc0.88%$1.18M
Goldman Sachs Group Inc/The0.88%$1.17M
Western Digital Corp0.87%$1.16M
Trane Technologies PLC0.86%$1.15M
American Express Co0.86%$1.15M
Eaton Corp PLC0.85%$1.14M
Johnson Controls International plc0.83%$1.10M
GE Vernova Inc0.82%$1.09M
Marriott International Inc/MD0.78%$1.05M
Danaher Corp0.78%$1.04M
Cigna Group/The0.77%$1.03M
Gilead Sciences Inc0.76%$1.02M
S&P Global Inc0.76%$1.01M
Sysco Corp0.73%$979.56K
Advanced Micro Devices Inc0.73%$974.77K
Motorola Solutions Inc0.73%$972.61K
United Rentals Inc0.72%$958.42K
MetLife Inc0.69%$926.65K
Xylem Inc/NY0.64%$852.06K
Crowdstrike Holdings Inc0.64%$850.14K
Procter & Gamble Co/The0.64%$846.99K
PepsiCo Inc0.63%$845.98K
UnitedHealth Group Inc0.63%$837.08K
Taiwan Semiconductor Manufacturing Co Ltd0.61%$811.39K
Parker-Hannifin Corp0.60%$806.95K
Deere & Co0.60%$803.06K
Thermo Fisher Scientific Inc0.60%$796.16K
iShares Core S&P 500 ETF0.59%$787.83K
Vertex Pharmaceuticals Inc0.56%$747.08K
Ecolab Inc0.56%$742.77K
Netflix Inc0.55%$739.56K
Equinix Inc0.55%$731.76K
Union Pacific Corp0.54%$726.24K
Blackrock Inc0.54%$723.09K
ASML Holding NV0.54%$715.95K
Ameriprise Financial Inc0.52%$700.07K
O'Reilly Automotive Inc0.52%$697.40K
Amphenol Corp0.51%$684.83K
Automatic Data Processing Inc0.50%$671.18K
Booking Holdings Inc0.47%$630.43K
Ball Corp0.47%$620.88K
Church & Dwight Co Inc0.45%$605.69K
Costco Wholesale Corp0.45%$594.02K
IDEXX Laboratories Inc0.43%$568.56K
Dynatrace Inc0.41%$546.33K
Ferguson Enterprises Inc0.41%$544.44K
ServiceNow Inc0.40%$527.77K
AppLovin Corp0.39%$523.99K
Progressive Corp/The0.39%$514.67K
Cencora Inc0.38%$509.08K
Uber Technologies Inc0.38%$508.44K
FedEx Corp0.38%$504.14K
Merck & Co Inc0.37%$498.97K
Honeywell International Inc0.37%$491.46K
Honeywell Aerospace Inc0.36%$485.27K
Marsh & McLennan Cos Inc0.36%$480.01K
Cisco Systems Inc0.35%$472.66K
Intuitive Surgical Inc0.34%$457.33K
Intercontinental Exchange Inc0.34%$449.23K
Agilent Technologies Inc0.34%$448.04K
Colgate-Palmolive Co0.32%$428.88K
Workday Inc0.28%$378.03K
Verizon Communications Inc0.28%$373.86K
Bristol-Myers Squibb Co0.28%$372.46K
Coherent Corp0.25%$338.46K
Salesforce Inc0.25%$333.84K
MongoDB Inc0.23%$306.68K
Cheniere Energy Inc0.22%$293.27K
Fixed Income Clearing Corp.0.22%$291.20K
KKR & Co Inc0.22%$288.37K
Airbnb Inc0.17%$231.11K
Liberty Media Corp-Liberty Formula One0.13%$179.53K
Fedex Freight Holding Co Inc0.10%$130.77K
Morgan Stanley & Co. LLC0.00%$348
Bank of America NA0.00%$214
Citibank NA0.00%$264
Ubs AG0.00%$196

C000067772 overview: performance, fees, allocation and SEC filings